Market watch series 2/7

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by John Bilton for a deep dive into multi-asset investing.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by Katy Thorneycroft for a deep dive into multi-asset investing.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward, Chief Market Strategist for EMEA, will provide a market update, and will be joined by Mark Davids, Portfolio Manager, Emerging Markets and Asia Pacific Equities and Tai Hui, Chief Market Strategist, Asia Pacific.

Join Hugh Gimber, Global Market Strategist, as he discusses the recent spread of the COVID-19 virus and the implications for the global economy and markets. He will be joined by Dr David Kelly, Chief Global Strategist, to dive deeper into the implications of the virus for the US economy, and potential consequences for the outcome of the US election.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by Shrenick Shah for a deep dive into macro strategies.

Join James Illsley, portfolio manager of the JPM UK Equity Core Fund and the JPM UK Equity Plus Fund as he provides an update on the performance of these funds and also discusses our UK equity strategies in light of current market volatility.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by Iain Stealey for a deep dive into fixed income.

Please join the dedicated Global Macro Investment Team for an update on their macro views, positioning and recent performance.

The Global Macro investment strategy seeks to capitalise on the major global themes driving asset class returns. High conviction macro views are reflected in a focused portfolio of long and short positions across equity, fixed income and currency, with the flexibility to adjust exposures in a risk-aware manner as the macro and markets evolve.

Don’t miss this opportunity to put forward your questions, and discover how we distil our view of the world into macro themes that provide a robust framework for investing.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by Francesco Conte, Portfolio Manager, European Equities.

Join Alex Stanic, Portfolio Manager of the JPM Global Unconstrained Equity Fund, and Sam Witherow, Portfolio Manager of the JPM Global Equity Income Fund, as they discuss the outlook for global equities today and debate where they are finding the most exciting stock ideas across the world.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by Lee Spelman, Head of US Equity.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by Anton Pil, Global Head of Alternatives

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by Paul Quinsee, Global Head of Equities

Please join the dedicated Global Macro Investment Team for an update on their macro views, positioning and recent performance.

The Global Macro investment strategy seeks to capitalise on the major global themes driving asset class returns. High conviction macro views are reflected in a focused portfolio of long and short positions across equity, fixed income and currency, with the flexibility to adjust exposures in a risk-aware manner as the macro and markets evolve.

Don’t miss this opportunity to put forward your questions, and discover how we distil our view of the world into macro themes that provide a robust framework for investing.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward, Chief Market Strategist for EMEA, will provide a market update, and will be joined by Michael Schoenhaut, Portfolio Manager, Multi-Asset Solutions, to discuss the challenges of finding income during this period of market volatility.

Join James Illsley, portfolio manager in the International Equity Group – Behavioural Finance Team, who will provide an update on the performance of the JPM UK Equity Core Fund and the JPM UK Equity Plus Fund. James will also discuss our UK equity strategies in light of current market volatility.

In this period of uncertainty, join us to discuss the latest COVID-19 developments and market implications in our weekly series. This week, Karen Ward will provide a market update, and will be joined by John Bilton and Thushka Maharaj for a deep dive into what the crisis means for asset allocation and investment returns over the longer period.

Join Iain Stealey and Andreas Michalitsianos, portfolio managers within the Global Fixed Income, Currency and Commodities (GFICC) group as they provide an update on the fixed income landscape in light of recent market volatility.

Join Don San Jose and Jonathan Brachle, Co-portfolio Managers of the JPMorgan US Smaller Companies Investment Trust plc, as they discuss the trust’s recent performance, current positioning and outlook for the US market with Fiona Harris. Don’t miss this opportunity to put forward your questions to the portfolio managers and to discover how JUSC can benefit US investors.